Free from rigid constraints, JPMorgan Global Bond Opportunities Fund provides investors with high-conviction exposure across all fixed income sectors globally.
No constraints, no bias, no borders
Today’s global fixed income market is worth US$110 trillion (note 1), and has also become more diverse. We share our insights on unconstrained investing.
The growing global bond market brings a wealth of new opportunities to diversify^ beyond traditional sectors. Being free from rigid constraints or bias to any region or sector, the Fund strives to enhance total return by searching the entire fixed income universe for our high-conviction ideas, while diversifying risks^.
Diversifying within fixed income^
Diversifying across fixed income as market changes open up opportunities. We share our insights.
With market volatility and uncertainty over interest rates, investors may want to look beyond traditional fixed income sectors and choose a dynamic approach that can find opportunities in the same asset class under different market conditions.
Global bond opportunities
Dynamic exposure across the full spectrum of fixed income
Having a dynamic fixed income allocation can help you better tap opportunities in a volatile market.
Depending on changing market conditions, the Fund dynamically adjusts its asset allocation and sensitivity to interest rates. It may adopt a conservative approach by adding cash or government bonds during market downturns, or may take on more risks by increasing high yield bond or emerging market debt holdings as opportunities arise.
Our Fixed Income Capabilities
assets under management (AUM)*